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Berkshire Hathaway Files SEC 13F

Berkshire Hathaway (NYSE: BRK.A) filed its 13F with the SEC. It must be filed no later than 45 days after the last day of the prior quarter, which in this case was December 31, 2013. Within this 13F were many notable changes to Warren Buffett's portfolio.

The following are increases that were made to the portfolio:

• USG (NYSE: USG): An increase of 17.82 million shares to 34,890,174 million. The current market value of his investment is $1.20 billion. The percentage out is 25.43 percent.

• Goldman Sachs (NYSE: GS): An increase of 12.63 million shares to 12,631,531 million. The current market value of his investment is $2.07 billion. The percentage out is 2.79 percent.

• General Electric (NYSE: GE): An increase of 10.0 million shares to 10,585,502 million.The current market value of his investment is $269.30 million. The percentage out is .1 percent.

• Devita Healthcare Partners (NYSE: DVA): An increase of 5.01 million shares to 36,461,294 million. The current market value of his investment is $2.42 billion. The percentage out is 17.14 percent.

• Liberty Global (NASDAQ: LBTYB): An increase of 2.95 million shares to 2,948,285 million. The current market value of his investment is $247.98 million. The percentage out is 1.33 percent.

• Exxon Mobil (NYSE: XOM): An increase of 1.04 million shares to 41,129,643 million. The current market value of his investment is $3.87 billion. The percentage out is .94 percent.

• Wells Fargo (NYSE: WFC): An increase of 326,500 shares to 463,458,123 million. The current market value of his investment is $21.38 billion. The percentage out is 8.82 percent.

• Wal-Mart Stores (NYSE: WMT): An increase of 236,498 shares to 49,483,733. The current market value of his investment is $3.73 billion. The percentage out is 1.53 percent.

• US Bancorp (NYSE: USB): An increase of 203,400 shares to 79,320,901. The current market value of his investment is $3.24 billion. The percentage out is 4.35 percent.

The following decreases were made to his portfolio:

• Suncor Energy (NYSE: SU): A decrease of 5.01 million shares to an aggregate total of 13 million. The current market value of his investment is $435.63 million. The percentage out is .88 percent.

• Conoco Phillips (NYSE: COP): A decrease of 2.45 million shares to an aggregate total of 11,079,958 million. The current market value of his investment is $716.98 million. The percentage out is .9 percent.

• Starz (NASDAQ: STRZA): A decrease of 1.08 million shares to an aggregate total of 4,541,881 million. The current market value of his investment is $134.85 million. The percentage out is 4.4 percent.

• Dish Network (NASDAQ: DISH): A decrease of 547,312 shares to an aggregate total of zero. The current market value of his investment is $0 million. The percentage out is .00 percent.

• Glaxosmith Kline (NYSE: GSK): A decrease of 345,312 shares to an aggregate total of zero. The current market value of his investment is $0 million. The percentage out is .00 percent.

• Liberty Media (NASDAQ: LINTA): A decrease of 322,340 shares to an aggregate total of 5.3 million million. The current market value of his investment is $706.97 million. The percentage out is 5.08 percent.

• Moody's (NYSE: MCO): A decrease of 252,400 shares to an aggregate total of 24,669,778 million. The current market value of his investment is $1.96 billion. The percentage out is 11.53 percent.